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Temporary Treasury Jobs in Michigan (NOW HIRING)

Seasonal Clerk

Livonia, MI · On-site

$13.73/hr

City Treasurer Opening Date: 04/27/2026 The City of Livonia is an Equal Opportunity Employer JOB ... Temporary employees are not eligible for fringe benefits. 01 Do you have one year of full-time paid ...

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Temporary Treasury information

What is a temporary treasury?

A Temporary Treasury job is a short-term position in a company's treasury department, focusing on financial activities such as cash management, risk assessment, and ensuring liquidity. These roles often support ongoing projects, cover employee absences, or assist during peak financial periods. Temporary Treasury professionals may handle bank reconciliations, process payments, and analyze cash flow to support the organization's financial stability. The duration of the role varies but typically ranges from a few months to a year.

What are the common responsibilities of a temporary treasury?

As a Temporary Treasury professional, you may be tasked with daily cash positioning, preparing cash flow forecasts, managing bank reconciliations, and supporting payment processing activities. You’ll often assist in monitoring company liquidity, maintaining banking relationships, and helping with internal controls and compliance documentation. Depending on the company, you may also get involved in short-term projects such as system implementations or audits for the treasury function. This role typically requires close collaboration with accounting, finance, and accounts payable teams, providing valuable exposure to broader financial operations.

What are the key skills and qualifications needed for a temporary treasury?

To succeed as a Temporary Treasury professional, you typically need experience with cash management, financial analysis, and a solid understanding of treasury operations, often supported by a degree in finance, accounting, or a related field. Familiarity with treasury management systems, Excel, and ERP platforms, as well as relevant certifications such as CTP (Certified Treasury Professional), is highly valued. Strong attention to detail, time management, and the ability to adapt quickly to new workflows are key soft skills in this position. These competencies ensure effective support to the treasury team, accurate processing of financial transactions, and smooth management of short-term liquidity needs.

What are the most commonly searched types of Treasury jobs in Michigan?

The most popular types of Treasury jobs in Michigan are:

What are popular job titles related to Temporary Treasury jobs in Michigan?

For Temporary Treasury jobs in Michigan, the most frequently searched job titles are:

What job categories do people searching Temporary Treasury jobs in Michigan look for?

The top searched job categories for Temporary Treasury jobs in Michigan are:

What cities in Michigan are hiring for Temporary Treasury jobs?

Cities in Michigan with the most Temporary Treasury job openings:

Infographic showing various Temporary Treasury job openings in Michigan as of August 2026, with employment types broken down into 92% Full Time, 4% Part Time, 3% Contract, and 1% Nights. Highlights an 88% Physical, 6% Hybrid, and 6% Remote job distribution.

Treasury Services Manager (Financial/Banking Industry)

PrideStaff

Grand Blanc, MI • On-site

$121K - $136K/yr

Full-time

Medical, Dental, Vision, Life, PTO

Posted 3 days ago

New


Job description

Treasury Services Manager

Position Type: Full-Time, Direct Hire

Work Model: Hybrid / Work-From-Home Eligible

Location: Grand Blanc / Flint, MI Area

Pay Range: $121,000 - $136,000 / year (depending on experience)

Job Overview

PrideStaff is seeking an experienced, strategic Treasury Services Manager on behalf of a leading regional financial institution in Mid-Michigan.

In this high-visibility leadership role, you will provide strategic direction and operational oversight for the organization’s treasury and cash management functions. You will lead a high-performing team tasked with driving deposit growth, optimizing liquidity, evaluating product performance, and enhancing business member engagement. The ideal candidate combines deep technical expertise in liquidity forecasting, financial modeling, and risk management with strong consultative skills to deliver tailored cash-management solutions to commercial clients.

Key Responsibilities

  • Strategic Treasury Leadership: Develop and execute treasury management strategies that accelerate deposit growth, optimize overall liquidity, and strengthen business relationships.
  • Commercial Client Consultation: Support complex commercial relationships by conducting cash-flow reviews, identifying opportunities, and delivering customized treasury and cash management solutions.
  • Cross-Functional Collaboration: Partner closely with Senior Leadership, Lending, Branch Operations, Finance, and IT teams to streamline treasury workflows and enhance product delivery.
  • Product Performance & Market Analysis: Direct competitive analysis, market research, and product pricing reviews to evaluate liquidity performance, drive product innovation, and maximize utilization.
  • Risk Management & Internal Controls: Establish strong operational controls, manage processing exposure limits and underwriting decisions, and maintain full compliance with regulatory frameworks.
  • Team Leadership & Development: Provide ongoing coaching, performance management, and leadership to the Treasury team to maintain operational excellence and high service standards.

Qualifications & Requirements

  • Education: Bachelor’s degree in Finance, Accounting, Business Administration, Economics, Statistics, or a related field required.
  • Experience:
    • Minimum 5 years of experience in Treasury Management, financial analysis, or cash-management operations.
    • Minimum 3 years of direct management or supervisory experience required.
  • Certifications: Certified Treasury Professional (CTP) designation highly preferred.
  • Technical Skills: Advanced proficiency in financial modeling, statistical modeling, balance sheet/P&L analysis, MS Outlook, and expert-level mastery of Excel.
  • Key Attributes: Exceptional organizational, analytical, and interpersonal skills; strong ability to communicate complex financial concepts to stakeholders and commercial clients.
  • Special Requirements: Must be bondable.

Company Description

PrideStaff can offer you a wide range of rewarding career options. Whether you prefer the freedom and variety of temporary work or the challenge of a full-time position, PrideStaff can help you find the job that best matches your skills and interests.

With offices throughout the country, PrideStaff gives you the inside track to great jobs with more than 3,000 employers.

At PrideStaff, you will be treated fairly, with dignity, courtesy, and respect. Work with a Staffing Firm that works for you!


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About PrideStaff

Sourced by ZipRecruiter

Accountability of local ownership along with the resources and expertise that the $200m national organization of PrideStaff backing us has. Therese is involved in all day-to-day operations. She leads a dynamic team of recruiters who together are focused on ensuring both clients and candidates have an exceptional experience. When you call the office, it is not unusual that Therese will answer the phone. Along with her team, she conducts interviews and helps with the hiring process. Additionally, PrideStaff’s 80+ other locations across the United States gives us resources not available to most other local staffing firms. It’s not what we say about ourselves that matters…it’s what has been said in our over 3,800 client testimonials that we’ve received over the years that matters.

Industry

Recruiting and staffing services

Company size

501 - 1,000 Employees

Headquarters location

Fresno, CA, US